Treasury Manager

Patria • helsinki, uusimaa, Finland • Posted June 17, 2026

Location helsinki, uusimaa
Job Type Full-time
Category Corporate Finance & Strategic Planning
Posted June 17, 2026

Treasury Manager – Helsinki

Patria’s Treasury function is responsible for arranging the Group’s financing, managing liquidity, overseeing foreign exchange and interest rate risks, handling guarantee matters, and producing financial reporting. As a Treasury Manager, you will be responsible for tasks related to managing foreign exchange risks and liquidity, serving as the key user of the Treasury system and maintaining it. Your duties will also include a wide range of financial reporting, other operational and administrative Treasury tasks. This role offers the opportunity to contribute to debt financing arrangements (“funding”) and to develop expertise in areas such as insurance, as well as to help develop operational practices and processes.

You will work closely with a colleague in managing the day-to-day activities of the Treasury function.

Qualifications

  • Previous work experience in the Treasury function of an internationally operating ...

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